000 02015cam a2200385 a 4500
001 CBN000000763
003 DLC
005 20151013140119.0
008 020826s2001 ne a b 100 0 eng
020 _a9780762308453
020 _a0762308451
040 _aDLC
_cDLC
_dDLC
050 0 0 _aHB3722
_b.A884 2001
082 0 0 _a338.5'42
_222
245 0 0 _aAsset price bubbles :
_bimplications for monetary and regulatory policies /
_cedited by George G. Kaufman.
250 _a1st ed.
260 _aAmsterdam ; New York :
_bJAI,
_c2001.
300 _aix, 243 p. :
_bill. ;
_c24 cm.
440 _aResearch in financial services : private and public policy,
_vv. 13
500 _aThe papers in this volume were presented at special sessions at the annual meetings of the Western Economic Association in San Francico in July 2001 and of the European Financial Management Association in Lugano, Switzerland in June 2001"--Page ix.
504 _aIncludes bibliographical references.
520 _aA study of asset price bubbles and the implications for preventing financial instability. This book examines asset price bubbles to further our understanding of the causes and implications of financial instability, focusing on the potential of central banks and regulatory agencies to prevent it. The book grew out of a conference jointly sponsored by the Federal Reserve Bank of Chicago and the World Bank Group in April 2002.
590 _aoif 31/08/15
591 _aLoan
650 0 _aFinancial crises
_vCongresses.
650 0 _aFinancial services industry
_vCongresses.
650 0 _aMonetary policy
_vCongresses.
650 _aDeposit insurance
_x Economic aspects
_z Europe
_v Congresses.
650 _aReal property
_x Economic aspects
_z Asia
_v Congresses.
650 _aStock exchanges
_z United States
_x Management
_v Congresses.
700 1 _aKaufman, George G.
710 1 _aWestern Economic Association.
710 1 _aEuropean Financial Management Association.
942 _2ddc
_cBOOK
999 _c2719
_d2719